Monthly Results

 

Nov 1st-4th/05:

 

Nov 01 sell EURUSD 1.1994 SL 1.2030 -36   

Nov 01 buy USDCHF 1.2889 TP 1.2940 +0

Nov 02 buy GBPUSD 1.7662 TP 1.7710 +48

Nov 02 buy EURJPY 140.30 TP 140.75 +45

Nov 03 sell USDCHF 1.2804 SL 1.2840 -36

Nov 04 sell EURUSD 1.1942 SL 1.1980 -38    / -15

 

June 7th-11th/05:

 

Nov 07 buy USDCHF 1.3056 TP 1.3100 +44

Nov 07 sell GBPUSD 1.7446 TP 1.7400 +54

Nov 08 sell EURUSD 1.1735 SL 1.1774 -39

Nov 08 buy USDCHF 1.3145 SL 1.3106 -39

Nov 09 sell GBPUSD 1.7415 TP 1.7360 +55

Nov 09 buy USDCHF 1.3096 SL 1.3060 -36

Nov 10 buy EURJPY 138.46 TP 138.90 +44

Nov 11 buy USDCHF 1.3129 SL 1.3090 -39    / +44

 

Nov 14th-18th/05:

 

Nov 14 sell GBPUSD 1.7469 TP 1.7415 +54

Nov 15 buy EURJPY 138.97 TP 139.40 +43

Nov 15 buy USDCHF 1.3168 TP 1.3210 +42

Nov 15 sell GBPUSD 1.7381 TP 1.7330 +51

Nov 16 buy USDCAD 1.1949 SL 1.1915 -34

Nov 17 buy USDCHF 1.3229 SL 1.3190 -39

Nov 17 buy USDJPY 118.69 TP 119.15 +46

Nov 18 buy EURUSD 1.1711 TP 1.1760 +49

Nov 18 sell USDCHF 1.3233 TP 1.3180 +53     / +265

 

Nov 21st-25th/05:

 

Nov 21 buy GBPUSD 1.7164 TP 1.7215 +51

Nov 22 buy EURUSD 1.1707 TP 1.1755 +48

Nov 22 sell USDCHF 1.3217 TP 1.3165 +52

Nov 23 sell USDCHF 1.3112 SL 1.3150 -38

Nov 23 buy GBPUSD 1.7219 TP 1.7265  +46

Nov 24 buy USDCHF 1.3117 TP 1.3160 +43

Nov 25 buy USDCHF 1.3159 TP 1.3210  +51   / +253

 

Nov 28th-30th/05:

 

Nov 28 sell EURUSD 1.1706 SL 1.1745 -39

Nov 28 buy USDCHF 1.3198 SL 1.3160 -39

Nov 29 buy EURUSD 1.1824 SL 1.1785 -39

Nov 29 buy GPUSD 1.7219 SL 1.7180 - not entered

Nov 30 sell USDJPY 119.39 SL 119.78 -39    / -156

 

Total pips for month of November +391

 

** there was an error in the posting on November 1st which has now been corrected.
 

 

  Trading Notes

 

note: trades are entered only if the recommended entry point is reached on the day of the signal.  Members should bear in mind they may need to adjust stops and limits slightly (+/-5) according to the spreads offered by their particular brokerage.

 

»  Past performance does not guarantee future results! Trading futures, options and spot currencies involves substantial risk and there is always the potential for loss. Your trading results may vary. Because the risk factor is high in the foreign exchange market trade only funds which you can afford to lose.

 

 
 

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